You need to include a description of the issuer event by providing the following information:
- a description of the affected securities and related financial instruments along with their respective numbers or amounts, as disclosed in the issuer profile supplement, for that issuer
- the name of the resulting issuer, if applicable
- designation of all resulting securities and related financial instruments along with their respective numbers or amounts, if applicable
- the exchange or conversion rates, if applicable
- a description of the resulting securities and related financial instruments as created in the issuer profile supplement in SEDI, if applicable
- the number of resulting securities and related financial instruments rounded up or down to the nearest share.
Include a description of the issuer event in either English or French, or both where appropriate.